SIF Performance in India — September 2026
Updated today at 9:00 am IST
How each investment strategy has actually performed, averaged across every fund following it (121 schemes tracked). Since SIFs are a new SEBI category, most strategies here are still under a year old -- treat "-" as "not enough history yet," not a data gap.
| Strategy | Funds | Avg 1-Month | Avg 1-Quarter | Avg 1-Year | Avg Since Inception |
|---|---|---|---|---|---|
| Active Asset Allocator Long-Short Fund Hybrid Investment Strategies |
10 | +1.43% | +9.09% | - | +9.66% |
| Equity Ex-Top 100 Long-Short Fund Equity Oriented Investment Strategies |
23 | +1.00% | +11.29% | - | +7.93% |
| Hybrid Long-Short Fund Hybrid Investment Strategies |
43 | +0.53% | +4.61% | - | +4.78% |
| Sector Rotation Long-Short Fund Equity Oriented Investment Strategies |
4 | +2.03% | +3.18% | - | +3.79% |
| Equity Long-Short Fund Equity Oriented Investment Strategies |
41 | -0.87% | +4.33% | - | +3.32% |
Frequently Asked Questions
Performance varies significantly by strategy -- see the breakdown below rather than a single category-wide number, since an Equity Long-Short strategy and a Hybrid strategy can move very differently in the same period.
This changes over time and is shown live in the table below, ranked by average since-inception return across every fund following that strategy.
SIFs are a new SEBI category (effective April 2025), so many funds are still under a year old and simply don’t have a full year of NAV history yet -- not a data gap, just genuine fund age.
Averages are computed across every currently-tracked fund in each strategy and are not investment advice.
Past performance does not guarantee future results.